XML 70 R47.htm IDEA: XBRL DOCUMENT v3.22.0.1
Long-term debt (Tables)
12 Months Ended
Dec. 31, 2021
Debt Disclosure [Abstract]  
Long-term debt
 December 31,
(Millions of dollars)
Effective Yield to Maturity 1
20212020
Machinery, Energy & Transportation:  
Notes—$759 million of 5.200% due 2041 2
5.27%$752 $752 
Debentures—$500 million of 2.600% due 2022 2
2.70% 499 
Debentures—$82 million of 8.000% due 2023
8.06%82 82 
Debentures—$1,000 million of 3.400% due 2024
3.46%999 998 
Debentures—$193 million of 6.625% due 2028 2
6.68%192 192 
Debentures—$500 million of 2.600% due 2029 2
2.67%498 497 
Debentures—$800 million of 2.600% due 2030 2
2.72%793 793 
Debentures—$500 million of 1.900% due 2031 2
2.04%495 — 
Debentures—$242 million of 7.300% due 2031 2
7.38%240 240 
Debentures—$307 million of 5.300% due 2035 2
8.64%226 223 
Debentures—$460 million of 6.050% due 2036 2
6.12%456 456 
Debentures—$65 million of 8.250% due 2038 2
8.38%64 64 
Debentures—$160 million of 6.950% due 2042 2
7.02%158 158 
Debentures—$1,722 million of 3.803% due 2042 2
6.39%1,316 1,296 
Debentures—$500 million of 4.300% due 2044
4.39%493 493 
Debentures—$1,000 million of 3.250% due 2049 2
3.34%983 983 
Debentures—$1,200 million of 3.250% due 2050 2
3.32%1,185 1,185 
Debentures—$500 million of 4.750% due 2064
4.81%494 494 
Debentures—$246 million of 7.375% due 2097 2
7.51%241 241 
Finance lease obligations & other79 103 
Total Machinery, Energy & Transportation9,746 9,749 
Financial Products:  
Medium-term notes16,127 16,012 
Other160 238 
Total Financial Products16,287 16,250 
Total long-term debt due after one year$26,033 $25,999 

1    Effective yield to maturity includes the impact of discounts, premiums and debt issuance costs.
2    Redeemable at our option in whole or in part at any time at a redemption price equal to the greater of (i) 100% of the principal amount or (ii) the discounted present value of the notes or debentures, calculated in accordance with the terms of such notes or debentures.
Aggregate amounts of maturities of long-term debt
The aggregate amounts of maturities of long-term debt during each of the years 2022 through 2026, including amounts due within one year and classified as current, are:

 December 31,
(Millions of dollars)20222023202420252026
Machinery, Energy & Transportation$45 $103 $1,013 $10 $
Financial Products6,307 5,221 7,129 1,629 1,555 
 $6,352 $5,324 $8,142 $1,639 $1,561